DCMホールディングスJP:3050バランスシート

時価総額
¥2395.3億
PER
11.2倍
ホームセンター事業を中心に、DCM株式会社によるホームセンター業やエクスプライス株式会社のEC事業、マイボフェローズ株式会社のポイントサービス運営業務を展開。
2014/022015/022016/022017/022018/022019/022020/022021/022022/022023/022024/022025/02
現金同等物-14,13711,47311,53311,89315,76338,30679,95644,12655,66593,755119,429
有価証券--59---------
現金 + 有価証券-14,13711,53211,53311,89315,76338,30679,95644,12655,66593,755119,429
売掛金-4,1174,6334,5425,22813,50014,88314,94614,21118,109--
流動資産合計-111,317114,073119,178122,541138,511161,618207,183175,057214,390268,112292,374
有形固定資産-170,603182,318194,633199,655196,699195,932202,169196,243195,687218,121221,239
投資有価証券-9,91810,46718,36819,08020,34619,60425,29223,67730,92734,49035,869
固定資産合計-238,674253,579274,082280,595277,172273,114283,666274,093301,564354,622355,562
総資産-349,991367,653393,261403,136415,684434,733490,849449,151515,955622,734647,936
買掛金--42,49924,96325,00029,13032,65735,27722,81624,15523,79422,652
短期借入金-26,80035,57047,72022,95027,55012,400--10,00057,250-
一年内返済予定の長期借入金-21,10920,13916,79014,3788,8236,37913,08930,11116,47427,34552,444
流動負債合計-133,195116,020127,08696,185105,476119,743117,255100,109102,828168,707127,710
長期借入金-39,90843,89642,47065,01363,68978,324102,74973,767137,104169,757188,796
固定負債合計-59,72587,54386,999123,547121,803114,776139,385108,306169,773202,752255,927
総負債-192,920203,564214,086219,733227,279234,519256,641208,416272,601371,460383,637
資本金及び資本剰余金-51,60354,27655,10755,11155,19358,95675,02475,02474,04871,38171,381
利益剰余金-107,515115,210123,760131,344140,015150,029164,285178,254185,378192,532200,061
株主資本151,743157,071164,088179,174183,403188,404200,213234,208240,735243,353251,274264,299
有利子負債合計-87,81799,605106,980102,341100,06297,103115,838103,878163,578254,352241,240
純有利子負債-73,68088,07395,44790,44884,29958,79735,88259,752107,913160,597121,811
DEレシオ(%)-55.960.759.755.853.148.549.543.267.2101.291.3